ADAMS DIVERSIFIED EQUITY FUND. Formerly The Adams Express Company
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1 ADAMS DIVERSIFIED EQUITY FUND Formerly The Adams Express Company FIRST QUARTER REPORT MARCH 31, 2015
2 L ETTER TO S HAREHOLDERS Dear Fellow Shareholders, Three months into 2015, the stock market has already been through its share of ups-and-downs. After declining 3.1% in January, stocks recorded gains in February and March. The Standard & Poor s 500 Composite Stock Index ( S&P 500 ) eked out a small gain for the quarter, extending the record of consecutive quarter gains to eight. Building on its outperformance in 2014, the Fund s first quarter return of 2.1% exceeded the S&P 500 return of 1.0%. For the twelve months ended March 31, 2015, the Fund returned 15.6% compared to the S&P 500 return of 12.7%. Health Care continued its four-year run as the top performing sector in the S&P 500, advancing 6.5% in the quarter. Benefitting from lower gasoline prices, the Consumer Discretionary sector also performed well, delivering a 4.8% return. While lower oil prices were a tailwind for consumers, the Energy sector declined 2.9%. Concern over the timing of the Federal Reserve s action on interest rates weighed on the Utilities and Financial sectors. Ongoing benefits of the Affordable Care Act and increases in the product pipeline for biotech and pharmaceuticals resulted in both strong stock performance and a record level of mergers and acquisitions ( M&A ) activity in the Health Care sector. After a very strong 2014, M&A in the U.S. had a robust three-month stretch, booking over $415 billion worth of deals, led by Health Care and followed by Consumer, Financials and Industrials. Our portfolio participated in M&A activity with the closing of the $62.5 billion purchase of Allergan by Actavis. Other activity in the Health Care sector included the initiation of a position in Novartis AG, a high quality global pharmaceutical company with several near-term positive catalysts. The company s recent restructuring into three operating divisions has positioned it well for future growth. With the majority of the company s key drug patent expirations behind it and a deep pipeline of potential blockbusters ahead of it, Novartis should be one of the fastest growing pharmaceutical companies globally. Additionally, Novartis is going to be a major player in the nascent biosimilar market, providing more opportunity for outperformance. In Technology, we established a position in Micron Technology, a global leader in advanced semiconductor systems. Micron designs, develops and manufactures DRAM (Dynamic Random Access Memory) and flash storage solutions. Memory supply/demand fundamentals should improve through Promising demand growth from major smartphone platforms with increasing DRAM content provides earnings growth potential. Moderating supply growth in DRAM resulting from industry consolidation and structural change will stabilize prices. For the three months ended March 31, 2015, the total return on the Fund s net asset value ( NAV ) per share (with dividends and capital gains reinvested) was 2.1%. The total return on the market price of the Fund s shares for the period was 2.4%. These compare to a 1.0% total return for the S&P 500 and a 0.9% total return for the Lipper Large-Cap Core Mutual Funds Average over the same time period. For the twelve months ended March 31, 2015, the Fund s total return on NAV was 15.6% and on market price was 16.8%. Comparable figures for the S&P 500 and Lipper Large-Cap Core Mutual Funds Average were 12.7% and 10.6%, respectively. Net assets of the Fund at March 31, 2015 were $16.15 per share on 95,922,372 shares outstanding, compared with $15.87 per share at December 31, 2014 on 96,286,656 shares outstanding. On March 2, 2015, a distribution of $0.05 per share was paid, consisting of $0.02 net investment income, $0.01 short-term capital gain, and $0.01 long-term capital gain, realized in 2014, and $0.01 of net investment income realized in 2015, all taxable in On April 16, 2015, an investment income dividend of $0.05 per share was declared to shareholders of record May 13, 2015, payable June 1, These constitute the first two payments toward our annual 6% minimum distribution rate commitment. The Fund repurchased 382,500 shares of its Common Stock during the three months ended March 31, The shares were repurchased at an average price of $13.93 and a weighted average discount to NAV of 13.8%, resulting in a $0.01 increase to NAV per share. By order of the Board of Directors, Mark E. Stoeckle Chief Executive Officer & President April 16, 2015
3 S UMMARY F INANCIAL I NFORMATION At March 31: Net asset value per share... $16.15 $15.18 Market price per share... $13.96 $12.98 Shares outstanding... 95,922,372 94,048,123 Total net assets... $1,548,832,631 $1,427,592,834 Unrealized appreciation on investments... $467,918,512 $360,832,391 For the three months ended March 31: Net investment income... $4,087,084 $4,324,530 Net realized gain... $28,845,538 $41,897,696 Cost of shares repurchased... $5,329,828 $2,455,232 Shares repurchased , ,800 Total return (based on market price) % (0.3)% Total return (based on net asset value) % 1.0% Key ratios: Net investment income to average net assets (annualized) 1.06% 1.23% Expenses to average net assets (annualized) % 0.64% Portfolio turnover (annualized) % 63.6% Net cash & short-term investments to net assets % 0.7% T EN L ARGEST E QUITY P ORTFOLIO H OLDINGS March 31, 2015 Percent Market Value of Net Assets Apple Inc. $ 81,265, % Adams Natural Resources Fund, Inc. * 50,623, Walt Disney Co. 39,606, Google Inc. (Class A & Class C) 39,145, Wells Fargo & Co. 39,113, Gilead Sciences, Inc. 36,887, PepsiCo, Inc. 32,845, CVS Health Corp. 32,407, Citigroup Inc. 31,787, Boeing Co. 30,766, Total $414,449, % * Non-controlled affiliated closed-end fund, formerly Petroleum & Resources Corporation 1
4 S CHEDULE OF I NVESTMENTS March 31, 2015 Shares Value (A) Common Stocks 98.1% Consumer Discretionary 12.8% Amazon.com, Inc. (B) 50,000 $ 18,605,000 BorgWarner Inc. 137,000 8,285,760 Comcast Corp. (Class A) 452,300 25,541,381 Dollar General Corp. 271,400 20,458,132 Hanesbrands Inc. 608,000 20,374,080 Las Vegas Sands Corp. 150,000 8,256,000 Lowe s Companies, Inc. 405,000 30,127,950 Magna International Inc. 252,000 13,522,320 Walt Disney Co. 377,600 39,606,464 Whirlpool Corp. 66,000 13,335, ,113,047 Consumer Staples 9.2% Coca-Cola Co. 300,000 12,165,000 CVS Health Corp. 314,000 32,407,940 General Mills Inc. 252,400 14,285,840 Hershey Co. 150,000 15,136,500 PepsiCo, Inc. 343,500 32,845,470 Philip Morris International Inc. 262,800 19,796,724 Procter & Gamble Co. 131,850 10,803,789 Unilever plc ADR 110,250 4,598, ,039,790 Energy 8.2% Adams Natural Resources Fund, Inc. (C) 2,186,774 50,623,818 Chevron Corp. 218,000 22,885,640 EOG Resources, Inc. 151,200 13,863,528 Exxon Mobil Corp. 101,000 8,585,000 Marathon Petroleum Corp. 83,000 8,498,370 Noble Energy, Inc. 175,000 8,557,500 Schlumberger Ltd. 171,300 14,293, ,307,128 Financials 16.6% Allstate Corp. 330,000 23,486,100 American International Group, Inc. 145,000 7,944,550 American Tower Corp. 105,000 9,885,750 Berkshire Hathaway Inc. (Class B) (B) 65,200 9,409,664 Capital One Financial Corp. 245,000 19,310,900 Citigroup Inc. 617,000 31,787,840 ishares US Real Estate ETF 147,722 11,717,309 JPMorgan Chase & Co. 450,000 27,261,000 Lincoln National Corp. 270,000 15,514,200 NASDAQ OMX Group, Inc. 360,000 18,338,400 Navient Corp. 520,000 10,571,600 Prudential Financial, Inc. 195,000 15,660,450 Simon Property Group, Inc. 89,500 17,509,780 Wells Fargo & Co. 719,000 39,113, ,511,143 2
5 S CHEDULE OF I NVESTMENTS ( CONTINUED) March 31, 2015 Shares Value (A) Health Care 14.6% AbbVie Inc. 20,000 $ 1,170,800 Actavis plc (B) 44,196 13,153,614 Aetna Inc. 252,000 26,845,560 Biogen Inc. (B) 47,000 19,845,280 Celgene Corp. (B) 164,000 18,905,920 Cerner Corp. (B) 341,000 24,981,660 Gilead Sciences, Inc. (B) 375,900 36,887,067 Johnson & Johnson 64,000 6,438,400 McKesson Corp. 116,000 26,239,200 Merck & Co., Inc. 480,000 27,590,400 Novartis AG 239,000 23,567, ,625,691 Industrials 10.2% Boeing Co. 205,000 30,766,400 Delta Air Lines, Inc. 265,000 11,914,400 Dover Corp. 176,000 12,165,120 FedEx Corp. 80,000 13,236,000 Fluor Corp. 130,000 7,430,800 General Electric Co. 246,500 6,115,665 Honeywell International Inc. 287,500 29,989,125 Union Pacific Corp. 278,000 30,110,180 United Technologies Corp. 139,500 16,349, ,077,090 Information Technology 19.5% Apple Inc. (D) 653,100 81,265,233 Automatic Data Processing, Inc. 109,000 9,334,760 Cisco Systems, Inc. 446,000 12,276,150 Facebook, Inc. (Class A) (B) 187,000 15,374,205 Gartner, Inc. (B) 165,000 13,835,250 Google Inc. (Class A) (B) 35,500 19,691,850 Google Inc. (Class C) (B) 35,500 19,454,000 Intel Corp. 310,000 9,693,700 International Business Machines Corp. 42,800 6,869,400 Lam Research Corp. 65,000 4,565,275 MasterCard, Inc. (Class A) 230,000 19,869,700 Micron Technology, Inc. (B) 464,000 12,588,320 Microsoft Corp. 618,800 25,157,314 Oracle Corp. 306,000 13,203,900 QUALCOMM Inc. 151,400 10,498,076 Visa Inc. (Class A) 322,000 21,062,020 Western Digital Corp. 83,000 7,553, ,292,983 Materials 2.6% CF Industries Holdings, Inc. 50,031 14,192,794 LyondellBasell Industries N.V. (Class A) 211,000 18,525,800 Praxair, Inc. 67,500 8,149,950 40,868,544 Telecommunication Services 1.9% SBA Communications Corp. (Class A) (B) 90,000 10,539,000 Verizon Communications Inc. 389,000 18,917,070 29,456,070 3
6 S CHEDULE OF I NVESTMENTS ( CONTINUED) March 31, 2015 Shares/ Principal Value (A) Utilities 2.5% AGL Resources Inc. 145,000 $ 7,199,250 Edison International 148,000 9,245,560 NextEra Energy, Inc. 81,000 8,428,050 NRG Energy, Inc. 238,000 5,995,220 Pinnacle West Capital Corp. 115,000 7,331,250 38,199,330 Total Common Stocks (Cost $1,051,482,301) 1,519,490,816 Short-Term Investments 1.8% Money Market Account 0.5% M&T Bank, 0.10% $ 7,021,349 7,021,349 Money Market Funds 1.3% Fidelity Institutional Money Market Money Market Portfolio (Institutional Class), 0.14% (E) 20,000,000 20,000,000 Total Short-Term Investments (Cost $27,021,349) 27,021,349 Total Investments 99.9% (Cost $1,078,503,630) 1,546,512,165 Net unrealized loss on open total return swap agreements 0.0% (F) (90,003) Other assets less liabilities 0.1% 2,410,469 Net Assets 100.0% $1,548,832,631 Notes: (A) Common stocks are listed on the New York Stock Exchange or the NASDAQ and are valued at the last reported sale price on the day of valuation. (B) Presently non-dividend paying. (C) Non-controlled affiliate, a closed-end sector fund, registered as an investment company under the Investment Company Act of (D) A portion of the position is pledged as collateral for open swap agreements. Aggregate market value of pledged securities is $622,150. (E) Rate presented is as of period-end and represents the annualized yield earned over the previous seven days. (F) Represents agreements with Morgan Stanley that expire in April The amount presented is the net amount to be received (paid) on all agreements at period-end. 4
7 O THER I NFORMATION Dividend Payment Schedule The Fund presently pays dividends four times a year, as follows: (a) three interim distributions on or about March 1, June 1, and September 1, and (b) a year-end distribution, payable in late December, consisting of the estimated balance of the net investment income for the year and the net realized capital gain earned through October 31 and, if applicable, a return of capital. Shareholders may elect to receive the year-end distribution in stock or cash. In connection with this distribution, all shareholders of record are sent a dividend announcement notice and an election card in mid-november. Shareholders holding shares in street or brokerage accounts may make their election by notifying their brokerage house representative. Statement on Quarterly Filing of Complete Portfolio Schedule In addition to publishing its complete schedule of portfolio holdings in the First and Third Quarter Reports to Shareholders, the Fund also files its complete schedule of portfolio holdings with the Securities and Exchange Commission for the first and third quarters of each fiscal year on Form N-Q. The Fund s Forms N- Q are available on the Commission s website: The Fund s Forms N-Q may be reviewed and copied at the Commission s Public Reference Room, and information on the operation of the Public Reference Room may be obtained by calling SEC The Fund also posts a link to its Forms N-Q on its website: select Fund name and click the headings Investment Information, Financial Reports and then SEC Filings. Forward-Looking Statements This report contains forward-looking statements within the meaning of the Securities Act of 1933 and the Securities Exchange Act of By their nature, all forward-looking statements involve risks and uncertainties, and actual results could differ materially from those contemplated by the forward-looking statements. Several factors that could materially affect the Fund s actual results are the performance of the portfolio of stocks held by the Fund, the conditions in the U.S. and international financial markets, the price at which shares of the Fund will trade in the public markets, and other factors discussed in the Fund s periodic filings with the Securities and Exchange Commission. Website Information Investors can find the Fund s daily NAV per share, the market price, the discount/premium to NAV per share, and quarterly changes in the portfolio securities on our website at Also available there are a history of the Fund, historical financial information, links for electronic delivery of shareholder reports, and other useful content. Electronic Delivery of Shareholder Reports The Fund offers shareholders the benefits and convenience of viewing Quarterly and Annual Reports and other shareholder materials on-line. With your consent, paper copies of these documents will cease with the next mailing and will be provided via . Reduce paper mailed to your home and help lower the Fund s printing and mailing costs. To enroll, please visit the following websites: Registered shareholders with AST: Shareholders using brokerage accounts: This report is transmitted to the shareholders of Adams Diversified Equity Fund for their information. It is not a prospectus, circular or representation intended for use in the purchase or sale of shares of the Fund or of any securities mentioned in the report. The rates of return will vary and the principal value of an investment will fluctuate. Shares, if sold, may be worth more or less than their original cost. Past performance is no guarantee of future investment results. 5
8 A DAMS D IVERSIFIED E QUITY F UND Board of Directors Enrique R. Arzac 1,3,5 Frederic A. Escherich 2,3,4 Craig R. Smith 1,2,5 Phyllis O. Bonanno 1,2,5 Roger W. Gale 1,3,4,5 Mark E. Stoeckle 1 Kenneth J. Dale 2,3,4 Kathleen T. McGahran 1,6 1. Member of Executive Committee 2. Member of Audit Committee 3. Member of Compensation Committee 4. Member of Retirement Benefits Committee 5. Member of Nominating and Governance Committee 6. Chair of the Board Officers Mark E. Stoeckle Chief Executive Officer & President James P. Haynie, CFA Executive Vice President D. Cotton Swindell, CFA Executive Vice President Nancy J.F. Prue, CFA Executive Vice President, Director of Shareholder Communications Brian S. Hook, CFA, CPA Vice President, Chief Financial Officer and Treasurer Lawrence L. Hooper, Jr. Vice President, General Counsel and Secretary Steven R. Crain, CFA Vice President Research Michael E. Rega, CFA Vice President Research David R. Schiminger, CFA Vice President Research Christine M. Sloan, CPA Assistant Treasurer 500 East Pratt Street, Suite 1300, Baltimore, MD (410) (800) Website: contact@adamsfunds.com Tickers: ADX (NYSE), XADEX (NASDAQ) Counsel: Chadbourne & Parke LLP Independent Registered Public Accounting Firm: PricewaterhouseCoopers LLP Custodian of Securities: Brown Brothers Harriman & Co. Transfer Agent & Registrar: American Stock Transfer & Trust Company, LLC Stockholder Relations Department th Avenue Brooklyn, NY (877) Website: info@amstock.com
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